1) distribution of returns
收益率分布
1.
Based on the cumulated prospect theory,using cumulative probability to describe the influence of subjective factors upon the distribution of fundamental value, this paper establishes a subjective model of the distribution of returns.
在累积展望理论基础上,通过累积概率描述主观因素对内在价值分布的影响,建立收益率分布主观模型。
2) Return Distribution
收益率分布
1.
Overconfidence and Regret Aversion and Their Non-normal Characteristics on Return Distribution;
过度自信、后悔厌恶与收益率分布非正态特征
3) return distribution
收益分布
1.
The Research on the Return Distribution, Volatility Characteristics and Risk Measurement of Stock Market;
股票市场收益分布、波动特征与风险度量研究
2.
A research on return distribution of participating insurance in China
我国分红险收益分布研究
3.
This paper is about the study of tail-related risk on Shanghai and Shenzhen A stock Market return distribution applying jump diffusion model and extreme value method.
本文运用跳跃扩散模型和极值理论方法对沪深股指收益分布特征进行了研究。
4) multi-conditional distribution
多项条件收益率分布
5) distributive rate of profits
收益分配率
1.
The basic principle of the distributive rate of profits is analyzed in this article.
对科技成果在企业的转让过程中收益分配率确定的基本原则进行了分析,在此基础上综合考虑企业投资所承担的风险,应用层次分析法和模糊综合评判法在科技成果转让中对企业的风险进行客观评价,提出了一种确定收益分配率科学计算的数学模型,并进行实证分析说明其科学性和有效性,为科技成果转让对于企业经济与发展的风险决策提出了具体、可行的依据。
6) return rate decomposition
收益率分解
补充资料:财务内部收益率
财务内部收益率
financial internal rate of return,FIRR
ea一wu ne,bu shouy{IU财务内部收益率return,FIRR)(finaneial internal rateof见电力项目对务评价。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条